Please use this identifier to cite or link to this item: https://irek.ase.md:443/xmlui/handle/123456789.1/64
Title: Подходы стандартизации системы управления рисками банка
Other Titles: Approaches to standardizing the bank's risk management system
Authors: Касевич, Ольга
Keywords: hedging, risk management
bank risk
capital
Issue Date: Mar-2021
Publisher: ASEM
Abstract: Effective management of banking risks is based on the relevant fundamental studies of the formation of an effective mechanism for regulating financial relations in the banking sector. For this reason, the problem of developing theoretical, methodological foundations and practical recommendations for effective bank risk management is relevant and attracts more and more attention of economists of our time. In an unstable environment, the theoretical foundations and standards of the banking risk management system will help to avoid a significant negative deviation from the planned performance indicators of the bank as a result of the "implementation" of risks, and in a crisis – to avoid bankruptcy, to overcome the crisis situation with minimal losses. JEL: G320
Description: КАСЕВИЧ, Ольга. Подходы стандартизации системы управления рисками банка = Approaches to standardizing the bank's risk management system. In: Provocările contabilităţii în viziunea tinerilor cercetători: Conf. şt. intern. studenţească, ISSC 2021: Culegere de articole ştiinţifice, Ed. a 5-a, 11-12 martie 2021. Chişinău: ASEM, 2021, pp. 374-377. ISBN 978-9975-155-12-0.
URI: http://irek.ase.md:80/xmlui/handle/123456789.1/64
ISBN: 978-9975-155-12-0
Appears in Collections:2.Articole

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